| Type | Conventional |
|---|---|
| Investment Manager | |
| Issuer | |
| Outlook | |
| Redemption Frequency | Weekly |
| Risk Type | |
| Subscription Frequency | |
| Minimum Subscription | 1 |
| Subscription Fees | 0.25% |
| Redemption Fees | 0 |
629.58EGP
CIB 2 Istethmar Fund invests in equities and fixed income products
| Type | Conventional |
|---|---|
| Investment Manager | |
| Issuer | |
| Outlook | |
| Redemption Frequency | Weekly |
| Risk Type | |
| Subscription Frequency | |
| Minimum Subscription | 1 |
| Subscription Fees | 0.25% |
| Redemption Fees | 0 |
Year to Date
1 Year
5 Years
Since Inception
Inception Date
Last Price Date
Istithmar Fund. Equity: 60%-95% Fixed Income: 30% Other mutual funds: 20% Per Stock: 15% Per Sector: 40%
The fund’s objective is to create an investment vehicle that offers capital appreciation through moderate risk investment tools. The fund invests mainly in local stocks, and GDR?s.
1,967.94EGP
33.02EGP